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Advanced Trading Rules (Quantitative Finance)
 
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Advanced Trading Rules (Quantitative Finance) [Hardcover]

Emmanual Acar (Editor), Stephen Satchell (Editor)


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Book Description

0750638176 978-0750638173 July 15, 1997 1st
* Indispensible reading if you are involved in the derivatives, fixed income, foreign exchange and equities markets * Financial markets professionals...you'll discover a wealth of applicable ideas and methods to help you improve your performance and profits * An essential guide to this exciting area of finance.

Advanced Trading Rules is the essential guide to state of the art techniques currently used by the very best financial traders, analysts and fund managers. The editors have brought together the world's leading professional and academic experts to explain how to understand, develop and apply cutting edge trading rules and systems. It is indispendsable reading if you are involved in the derivatives, fixed income, foreign exchange and equities markets.

The authors explain how to apply econometrics, computer modelling, technical and quantitative analysis to generate superior returns, showing how you can stay ahead of the curve by finding out why certain methods suceed or fail.

Profit from this book by understanding how to use:

* technical indicators
* neural networks
* genetic algorithms
* quantitative techniques
* charts

Financial markets professionals will discover a wealth of applicable ideas and methods to help them to improve their performance and profits. Students and academics working in this area will also benefit from the rigorous and theoretically sound analysis of this dynamic and exciting area of finance.




Complete overview of cutting edge financial markets trading rules
How to apply econometrics, computer modelling, technical and quantitative analysis to financial markets trading
Understand how to profit by using technical indicators, neural networks, genetic algorithms, quantitative techniques and charts

Editorial Reviews

About the Author

Stephen Satchell is a Fellow of Trinity College, the Reader in Financial Econometrics at the University of Cambridge and Visiting Professor at Birkbeck College, City University Business School and University of Technology, Sydney. He provides consultancy for a range of city institutions in the broad area of quantitative finance. He has published papers in many journals and has a particular interest in risk.


Product Details

  • Hardcover: 244 pages
  • Publisher: Butterworth-Heinemann; 1st edition (July 15, 1997)
  • Language: English
  • ISBN-10: 0750638176
  • ISBN-13: 978-0750638173
  • Product Dimensions: 9.8 x 6.5 x 1 inches
  • Shipping Weight: 1.3 pounds
  • Amazon Best Sellers Rank: #4,114,274 in Books (See Top 100 in Books)

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